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Senior Strategic Sales – Risk Management and Analytics vendor recruitment
About our client:An award winning, cross-asset, Portfolio and Risk Management vendor with offices in the US, London, Honk Kong and Sydney. Platform focuses on Derivatives Trading with key clientele being the Buy Side and Hedge Fund community. Role Summary: An experienced sales individual for the generation of new business opportunities in Hong Kong and surrounding territories. Selling a niche Risk Management and Analytics platform across the buy side with average deal size being $100,000 +. Individuals not currently based in Hong Kong but open to relocation also a possibility. The successful Read more […]
Deputy Head of Credit Risk Management recruitment
Your Objective: To analyze counterparties, identify, quantify and mitigate risk drivers in commercial and investment banking transactions, monitor risk exposures, and address counterparty risk deteriorationPosition Description: • Analyze and mitigate credit risk from trade finance and derivative transactions (derivatives focus mostly on foreign exchange and interest rates but potentially include all product classes). • Primary responsibility for industry-level coverage of Chinese counterparties, primarily corporate but potentially including financial institutions. • Interface Read more […]
Project Leader-Risk Management recruitment
Major Financial Firm is seeking candidate possessing experience working with one of the big four consulting firms to join a team of risk professionals responsible for risk aggregation and stress testing across the firm. In addition to an advanced degree (preferably a Masters) in business, economics, engineering or related field, candidate must have 5-10 years of relevant experience. This role requires working with subject matter experts across different businesses to arrive at specific recommendations, and making these recommendations to leadership. Candidate must be able to pick up projects Read more […]
Energy Trading & Risk Management (ETRM) Business Analyst – Allegro recruitment
Job DescriptionThe successful candidate will have an excellent working knowledge of Allegro software with broad knowledge and understanding of its features, functions and capabilities. Your role will be to act as a liaison between the business users of the system and technical support resources within the company. You will be a solutions provider for business functions, implementation, system design, and workflow improvements.Responsibilities will include:• Provide techno-functional leadership for the services provided for projects using energy trading risk management products• Perform Read more […]
Assistant Manager, Financial Risk Management recruitment
AXA China Region is a member of the global AXA Group, a worldwide leading organisation in financial protection and wealth management. AXA has a history dating back to the early 19th century and commenced business in Hong Kong in 1986. For the year of 2010, AXA’s revenues were HK$944.7 billion* and, as at 31 December 2010, its assets under management were HK$11,464.1 billion *.* As at 31 December 2010, calculated based on exchange rate of 1 Euro = HK$10.38418We are now looking for the following Financial Risk Management Professional to join our Risk Management Department.DESCRIPTIONThe jobholder Read more […]
Sovereign Risk Management – VP recruitment
Sovereign Risk Management – VPGlobal Investment Bank$150,000 – $200,000 + Attractive Bonus/BenefitsResponsibilities• Analyse and monitor risk relevant issues and advise individual stakeholders on the impact on business lines• Assess/formulate risk ratings and business policies• Perform various stress testing scenarios• Conduct economic studies, interpret trends and develop economic forecasts• Provide risk reviews and risk rating recommendationsRequirements• Masters/PhD in Finance, Financial Engineering or Economics• Minimum 10 years of experience in a Credit or Market Risk Read more […]
Director, Technology Lead – Capital Markets & Credit Risk Management Job recruitment
Director, Technology Lead – Capital Markets Credit Risk Management-701168 Description Leads a technical team of associate and offshore resources implementing and integrating Capital Markets application systems. Provides functional, technical and process leadership. Drives tactical delivery for multiple teams. Leads project level architecture and ensures that the design and development team remain compliant with enterprise standards. Partners with internal solutions delivery support teams and the business to resolve complex issues. Responsibilities: – Provide technical guidance to application development Read more […]
Risk Management / Valuation recruitment
This person will be part of a faced paced Front Office team which performs all valuations Risk tasks within the organization. Individual responsibilities of the Risk Analyst will include:• Create customized portfolio risk reports and risk measures for financial derivatives (Exotic Options, IR structured products, CDS, Volatility products) in Front Arena trading system and APT factor modeling system.• Daily Valuation of client portfolios by maintaining market data, valuation models and risk measures.• Explain, review and validate custom risk measures to clients ( trader Greeks, performance Read more […]
Quantitative Analyst Credit Portfolio Risk Management – Stress Testing, Pillar 1 Models, EC Models – Large Bank – London recruitment
The successful candidates will definitely have either experience in implementing stress testing models or EC modelling as well as other related Credit Risk Modelling concepts.The successful applicants will have circa 4-5 years’ experience in Credit Risk as well as come from a quantitative educational background. The ideal candidate will have either SAS, R or S-Plus, as well as VBA. Knowledge of a database system is also needed (Access, SQL or Oracle). If you would be interested in discussing the opportunity in further detail, please get in touch with Sammy, at s.khelil@westbourne-partners.com Read more […]
Vice President, Credit Risk Management, Investment Bank recruitment
Reporting through to the Head of Credit Risk Management APAC, you will be responsible for the due diligence and preparation / presentation of credit analysis on all financial institution counterparties. The scope will also include sovereign entities. With substantial delegated authority, you will review and approve credit related transactions or make recommendation for approval for those outside of limits. Our client prides itself on dynamism and client satisfaction and as such you will also work closely with business heads to provide innovative credit risk mitigation solutions and structured transactions. Read more […]
